Risk Center 2008 Eğitim Programları

Sertifika Programları

 

Kurum-İçi Sertifika Sınav Hazırlık Programları
-FRM, Financial Risk Manager-FRM ®, GARP -
FRM, Study & Approach Training Module -
-PRM, Professional Risk Manager PRM ®, PRIMIA -
-CFA, Chartered Financial Analyst CFA ® -
-ACOR, Advanced Certificate in Operational Risk -
-Gayrimenkul Değerleme Uzmanlığı Sertifikası -
-Konut Değerleme Uzmanlığı Sertifikası -
-PMP (Project Management Professional) Sertifikası -
Online Sertifika Sınav Hazırlık Programları
-PRM Coach (KESDEE Eğitim Modeli) -
-FRM Coach (KESDEE Egitim Modeli) -
-CFA Coach (KESDEE Egitim modeli) -
-CFA (7CITY Eğitim Modeli) -
-PRM (7CITY Eğitim Modeli) -
-ACOR 7CITY Eğitim Modeli -
Enerji Lisans Sınavlarına Hazırlık Programı
-CEM (Certified Energy Management) -
-CEA (Certified Energy Audit) -
-BEP (Business Energy Professional) -
-CEP (The Certified Energy Procurement Professional Prg.) -
-DGCP(The Distributed Generation Certified Professional Prg.) -

Kurum-İçi Eğitim Programları

A. Professional Finance

A01.Real Estate Finance and Mortgage Products Workshop (4 Days)

Prof.Dr.Abdullah Yavas (Penn State University
Assoc.Dr.Yıldıray Yıldırım (Syracuse University)

-

A02.Inflation Linked Derivatives & Interest Rate Hybrid Products Workshop

Assoc.Dr.Yıldıray Yıldırım (Syracuse University)

-

A03.Financial Skill for Managers (5 Days)

Prof.Nejat Soyhan
Ross Business School
Michigan University Ann Arbor

-

A04.Financial Risk Management (5 Days)

Prof.Nejat Soyhan
Ross Business School
Michigan University Ann Arbor

-
B.Risk Management
B01.FRM (Financial Risk Manager-FRM ®, GARP) -
B01.FRM (Financial Risk Manager-FRM ®, GARP) -
B02.PRM (Professional Risk Manager PRM ®, PRIMIA) -
B03.CFA (Chartered Financial Analyst CFA ®) -
B04.ACOR(Advanced Certificate in Operational Risk) -
B05.Financial Econometrics -
B06.Volatility Modelling and Application -
B07.Financial Modelling -
B08.Basel II -
B09.Credit Risk -
B10.Liquidity Risk -
B11.Market Risk -
B12.Operational Risk -
B13.Quantitative Value-At-Risk Analysis -
B14.SBFLC School Of Risk Management -
B15.Treasury Risk Management -
B16.Interest Rate Risk Management -
C. Fundamental Finance
C01.Fundamental of Investment Banking -
C02.Fundamentals of Fund Management -
C03.Fundamentals of Global Bond Markets -
C04.Fundamentals of Global Financial Markets -
C05.Fundamentals Of Hedge Funds -
C06.Fundamentals of Risk Management -
C07.Fundamentals Of Structured Products -
C08.Fundamentals of Swaps -
C09.International Trade Finance -
C10.Introduction to Capital Market - FCTOP -
C11.Fixed Income, Basic/Advance -
C12.Sermaye Piyasası Araçları ve Hukuksal Altyapısı -
C13.Capital Markets And Exchanges: Concepts, Functions and Progress -
C14.Kurumsal Yönetim Kavramı ve Finans Piyasalarına Yansımaları -
C15.Piyasacılık Teorisi ve Ulusal Finans Piyasalarımız -
C16.Sermaye piyasalarında düzenleyici ve yardımcı kuruluşlar ile işlevleri -
C17.TTK Taslağındaki Değişiklikler ve Finans Piyasalarına Olası Etkileri -
C18.Sermaye Piyasaları Ve BOorsalar: İşlev ve İşleyiş
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D. Advance Finance
D01.Advance Investment Management -
D02.Advanced Risk Management -
D03.Advanced Swaps -
D04.Fixed Income, Basic/Advance -
D05. Islamic Finance Qualification (IFQ), 7City Learning, UK. -
E. Bank Balance Sheet Management
E01.Asset Liability Management -
E02.Basel-II: New Capital Proposals -
E03.Credit Derivatives -
E04.Cash flow CDOs and Synthetic Structures -
E05.Cash Management & Payment -
E06.Securities Settlement and Operations -
F. Equity- Derivatives
F01.Equity & Derivatives -
F02.Equity IT -
F03.Equity Research -
F04.Equity Valuation -
F05.Brokerage Operations -
F06.Exotic Options -
F07.Cash flow CDOs and Synthetic Structures -
F08.Mastering Credit Derivatives -
G. Corporate Finance & Fixed Income
G01.Corporate Finance -
G02.Corporate Valuation Techniques -
G03.Financial Reporting -
G04.Financial Analysis in Excel -
G05.Financial Modelling -
G06.Understanding Commodity Markets -
G07.Commodity Trading -
G08.Money Markets /Project Finance Modeling -
G09.International Trade Finance -
G10.Introduction to Capital Market - FCTOP -
G11.Fixed Income, Basic/Advance -
G12.Commercial Lending -
G13.Cash flow CDOs and Synthetic Structures -
G14.Cash Management & Payment -
G15.Cashflow CDOs And Synthetic Structures -
G16.Securities lending -
G17.Securities Settlement and Operations -
G18.Syndicated Loans -
G19.Trade Finance -
H. Portfolio , Asset & Threasury Management
H01.Portfolio Management -
H02.Private Banking And Wealth Management -
H03.Asset & Liability Management -
H04.Fixed Income Portfolio Management -
H05.Treasury Management -
H06.Treasury Risk Management -
H07.Wealth Management -
H08.Mergers & Acquisitions -
H09.Project Finance -
H10.Investment Banking - Operations -
H11.Management Buy-Outs -
H12.Private Equity & Venture Capital -
H13.After Trade Life cycle -
H14.US GAAP Accounting -
J. Internal Control Concepts & Risk Based Control Activities Analysis
J01.Internal Control Concepts -
J02.Internal Control Applications -
J03.Risk Based Control Activities Analysis -
J04.Introduction to Enterprise Risk Management -
J05.Organizational Control Relationships -
J06.Controls Over Fraud, Waste and Abuse -
J07.Internal Control Communications and Corrective Action -
J08.Controls As A Motivator -
I. Hukuk ve Yönetim
I01.Sözleşme Yapma ve İnceleme Teknikleri -
I02.İş Hukuku -
I03.İflasın Ertelenmesi -
I04.İmza ve Sorumluluk Hukuku -
I05.Kamu İhaleler Kanunu -
I06.Uluslararası Ticaret Hukuku ve Uygulamaları -
I07.Kurumsallaşmada Hukukun Yeri -
I08.Mortgage Hukuki Alt Yapısı -
İ.Advanced Topics on Wireless and Mobile Communications Systems
İ01.Introduction to Communications Systems -
İ02.The Adaptation of Wireless Mobile Radio Communication -
İ03.Advanced Topics on Wireless Communication System -
İ04.Multi-Carrier Communications (OFDM) and Its Application To Wimax, Imt-Advanced, and Wi-Fi -
İ05.Personal and Mobile Communications Systems -
İ06.Cognitive Radio and Software Defined Radio -
İ07.Wireless Communication Systems Lab -
İ08.Testing, Simulation, Modeling, and Performance Measurement of Wireless Communication Systems -

Enerji Programları

K.Enerji Risk Management Programı & Enerji Asset Management Programı
K01.Fundamentals and Practical Applications of Energy Risk Management, VaR and Earnings at Risk. -
K03.Fundamentals of Energy Statistical Analysis and the Real Option Valuation of Energy Asset. -
K03.Gas-to-Electricity Arbitrage & How to Maximize the Profitability of Electric Generation Assets. -
K04.How to Value Energy & Electricity Assets Using Real Options Analysis . -
K05.Fundamentals of Energy/Electricity Forward Markets,Futures, Options & Derivatives. -
K06.Fundamentals of Statistical Analysis for Energy Sector. -
K07.The Fundamentals of Gas & Electric Utility Rates -
K08.Energy Project Finance -
L.Energy Technical
L01.Renewable Energy Technology Options -
L02.Renewable Energy Project Financing -
L03.Renewable Energy Project Appraisal for Financial Institutions -
L04.Energy Market Fundamentals -
L05.Hidrojen Enerji ve Teknolojileri -
L06-Principles of Electromechanic Energy Conversion -
L07-Renewable Energy Systems And Applications -
L08- Unregulated Electric Energy Markets -
L09.Yakıt Hücreleri -
L10.Fundamentals of Motors -
L11.Technical-Financial Analysis Methodology of Energy Conservation Projects -
M.Energy Efficiency And Saving
M01. Action Plan for Energy Efficiency Realising the Potential on the Countries of EU -
M02. Energy Effiency on the Buildings -
M03. Energy Effiency on the ındustrial Plants -
M04. New Energy Effiency Law -
M05. Energy Management and Audits According to New Law and Regulations -

e-Learning Eğitim Programları

 

Online Sertifika Sınav Hazırlık Programları
Price USD
 
CFA 7CITY Eğitim Modeli    
CFA-1
1250
CFA-2
1300
CFA-3
1500
PRM 7CITY Eğitim Modeli    
PRM-1
1800
PRM-2
900
PRM-3
1800
PRM-4
900
PRM 1-4
4500
ACOR 7CITY Eğitim Modeli
 
 
ePRM coach Kesdee Eğitim Modeli
290
eFRM coach Kesdee Eğitim Modeli
300
eCFA coach (Kesdee Eğitim Modeli 2008 Mart'ta Açılacak)
 
 
K. Bank Balance Sheet Management
1. Asset Liability Management
400
2. Liquidity Management and Contingency Funding Plan
150
3. Financial Institution Analysis CAMELS Approach
300
42. Financial Planning
100
L. Core Financial Concepts
41. Mutual Funds
100
43. Project Valuation
50
51. Flotation
50
4. Financial Mathematics
150
M. Structured Finance
20. Asset Securitization
300
18. Credit Derivatives
400
N. Market Risk Management
10. Market Risk (basic level)
150
11. Market Risk (intermediate level)
150
12. Market Risk (advanced level)
100
13. Value at Risk
300
P. Credit Risk Management
14. Credit Analysis
200
15. Credit Ratings
100
16. Counterparty Credit Risk
200
17. Credit Risk Modeling
150
R. Operational Risk Management
19. Operational Risk Management
250
S. Operations & Compliance
22. Anti-Money Laundering
100
23. Financial Privacy
100
24. Corporate Governance
200
39. Sarbanes-Oxley Act
200
44. Governance, Risk and Compliance
100
T. Derivatives
7. Futures & Forwards
150
8. Swaps
150
9. Options
200
U. Insurance
21. Asset Liability Management for Insurance Companies
400
20. Asset Securitization
300
V. Corporate Treasury Management (CTM)
29. CTM Foreign Exchange Management
100
30. CTM Treasury Analytics
100
31. CTM Interest Rate Risk Management
100
32. CTM Funding and Investments
100
33. CTM Implementation
100
34. CTM Case Studies
100
Y. Global Financial Markets
25. Money Markets
150
26. Fixed Income Markets
200
27. Equity Markets
300
28. Foreign Exchange Markets
100
Z. Banking Regulations, Basel I & Basel II
5. Global Banking Supervision
200
6. Capital Adequacy Planning
150
40. Basel II University
400
45. Bank Branch Management - Deposits
50
46. Bank Branch Management - Advances
70
47. Bank Branch Management - Marketing
30
48. Bank Branch Management - Foreign Exchange Operations
35
49. Bank Branch Management - Payment & Settlement System
30
50. Bank Branch Management - Trade Finance
30
W. Accounting
42. Financial Planning
100
35. Understanding Financial Statements
50
36. Budgeting
100
37. Financial Accounting
150
38. Management Accounting
150

 

Toplam Tutar:

Sertifika Programları Tutarı : 0 YTL
e-Learning Eğitim Programları Tutarı : 0 USD

 

Kayıt ücretini gönderebileceğiniz hesap numaraları:

Kurum Adı : Riskcenter Eğitim, Yayıncılık ve Danışmanlık Ltd.
Adres : Kore Şehitleri Cad. Yonca Apt. A-Blok No:1/12 Zincirlikuyu-İstanbul
Banka Adı : Garanti Bankası
Şube : Bağlarbaşı Şubesi ( 422 )
YTL Hesap No : 629 81 92
USD Hesap No : 908 93 60

 

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Adres: Kore Şehitleri Cad. Yonca Apt. A-Blok No:1/12 Zincirlikuyu-İstanbul-34394 Mail: info@riskcenter.com.tr Tel: 212-217 33 68 Fax: 212-217 33 70
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